Senior Market Risk Specialist - Corporate Market Risk Group

Wells Fargo BankCharlotte, NC
1dHybrid

About The Position

Wells Fargo is seeking a Senior Market Risk Specialist for the Structuring and Controls team within the Corporate Market Risk Group (CMRG). The position will focus primarily on helping Wells Fargo ABS desks successfully execute new issuance securitization transactions (CMBS, RMBS, CLO, Consumer ABS and Commercial ABS), and equity-linked structured products, by ensuring accuracy of deal packages provided to ratings agencies and investors. The Senior Market Risk Specialist plays a critical role by conducting independent modeling and offering document reviews. In this role, you will: Develop deep subject matter expertise across asset types, cash flow structures and evolving market trends Provide independent capital structure cashflow modeling and offering document reviews, understanding and interpreting collateral characteristics, building performance triggers and events, applying performance stress scenarios, calculating security cashflows and risk/return computations Reviewing offering documents for proper and adequate disclosure of deal terms, modeling assumptions, description of priority of payments and risk/return results Exercise professional skepticism to detect and resolve any potential issues throughout the engagement Display flexibility in handling new asset types and deal structures as necessary

Requirements

  • 4+ years of experience in one or a combination of the following: trading, desk analyst, Capital Markets, market risk, interest rate risk or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education
  • Strong knowledge of fixed income products, equity-linked structured products and structured finance

Nice To Haves

  • Master’s degree in finance, Accounting, Economics, Engineering, or related field
  • 3+ years of experience in ABS issuance, underwriting, or servicing, with hands-on expertise in ABS modeling and deal management
  • Prior experience in accounting firms or rating agencies with direct engagement with ABS professionals and legal teams
  • Advanced analytical skills; proficient with Excel VBA and Intex Dealmaker, hands-on experience with other coding languages a plus
  • Skilled in interpreting legal documents including offering memorandums, indentures, and private placement memorandums
  • Proven ability to collaborate across functions including structuring, deal management, legal, and compliance
  • Effective multitasker with a track record of meeting deadlines on time-sensitive tasks
  • Experience in collateral negotiations, compliance reviews, and risk assessments
  • Background in credit underwriting and analysis
  • Excellent written and verbal communication skills; strong organizational and problem-solving abilities with high attention to detail

Responsibilities

  • Develop deep subject matter expertise across asset types, cash flow structures and evolving market trends
  • Provide independent capital structure cashflow modeling and offering document reviews, understanding and interpreting collateral characteristics, building performance triggers and events, applying performance stress scenarios, calculating security cashflows and risk/return computations
  • Reviewing offering documents for proper and adequate disclosure of deal terms, modeling assumptions, description of priority of payments and risk/return results
  • Exercise professional skepticism to detect and resolve any potential issues throughout the engagement
  • Display flexibility in handling new asset types and deal structures as necessary
© 2024 Teal Labs, Inc
Privacy PolicyTerms of Service